Buttonwood Investment Models

Our Buttonwood investment models are professionally managed portfolios designed to meet a range of investor goals, timeframes, and risk appetites. Managed by experienced investment professionals, each model is regularly rebalanced to maintain optimal asset allocation and deliver consistent long-term results.

Buttonwood Short Term Portfolio.

Objective: Outperform the benchmark over rolling 12-month periods.

Summary: Defensive, liquid, and designed for capital preservation over short horizons.

Investment Product Sheet

Buttonwood Active Moderate Portfolio.

Objective: Outperform the benchmark over rolling 3-year periods.

Summary: Balanced growth with active management across asset classes.

Investment Product Sheet

Buttonwood Index Plus Moderate Portfolio.

Objective: Outperform the benchmark over rolling 3-year periods.

Summary: Cost-efficient index base with tactical enhancements.

Investment Product Sheet

Buttonwood Active Balanced Portfolio.

Objective: Outperform the benchmark over rolling 5-year periods.

Summary: Balanced allocation for long-term investors seeking both growth and income.

Investment Product Sheet

Buttonwood Index Plus Balanced Portfolio.

Objective: Outperform the benchmark over rolling 5-year periods.

Summary: Core index portfolio with selective tilts for stability and return.

Investment Product Sheet

Buttonwood Active Growth Portfolio.

Objective: Outperform the benchmark over rolling 7-year periods.

Summary: Strong growth orientation for long-term wealth creation.

Investment Product Sheet

Buttonwood Index Plus Growth Portfolio.

Objective: Outperform the benchmark over rolling 7-year periods.

Summary: Cost-efficient growth strategy using index exposure with enhancements.

Investment Product Sheet

Ready to invest with confidence?

Speak with Centaur Financial Services today to find the Buttonwood model that fits your goals.